$259K allocated Monday by council

The Moberly City Council appropriated $258,928.21 from their treasury to pay for “various expenses” at their Monday meeting in the council chambers. The following is a breakdown of such:

The largest fund drain came from the Park Sales Tax Fund, in the amount of $71,617.40. The smallest was $287.38, from the 2004A SRF Bonds Debt Service Fund.

Expenses in the amount of $68,966.08 were paid for out of the city’s General Fund. A total of $55,152.57 came from the CW and SS Operation and Maintenance Fund.

There were $29,173.78 taken out of the Parks and Recreation Fund, followed by $8,560.70 from the Transportation Trust Fund, $7,741,44 from the Non-Resident Lodging Tax Fund, $6,916.91 from the Airport Fund, and $4,864.74 from the 911 Emergency Telephone Fund.

Three thousand, four hundred and thirteen dollars and twenty cents were appropriated from the Street Improvement Fund. The Solid Waste fund was docked $1,294.34. A total of $939.67 were taken from the Perpetual Care Cemetery Maintenance Fund.